Navigate Overvalued Markets Through Multi-Asset Investing

Navigate Overvalued Markets Through Multi-Asset Investing

Multi-asset investing is a strategy where investors invest in multiple asset classes such as equities, debt, gold, REITs, infrastructure investment trusts, etc. Different asset classes perform differently under different market conditions. As a result, investing in varied asset classes can help reduce risks and optimise portfolio returns. For instance, when the equity market is volatile, the presence of debt investments such as bonds which offer stable returns will help provide downside protection to the overall portfolio. 

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